Sectors:

Description:

The BLDRS Europe 100 ADR Index Fund is an exchange-traded fund based on the BNY Mellon Europe 100 ADR Index. The Fund normally holds at least 95% of its total assets in Depositary Receipts that comprise the Index. The Index is capitalization weighted and designed to track the performance of approximately 100 European market-based depositary receipts. The Fund is designed for investors seeking a relatively low cost approach to investing and may be suitable for long-term investment in the market or market segment represented in the relevant benchmark BNY Mellon ADR Index. The portfolio is rebalanced and reconstituted quarterly.

The Profile page gives you general information about a symbol, whether it's about the company or the contract. Barchart shows different data on the Profile page, depending on the symbol's asset type.

Stocks

A stock Profile page contains general information about the stock, such as Ticker Symbol, Exchange traded on, Company Contact Address/Phone, CEO/President, and Company Description. It also includes links to the Industry, Sector, and Index in which the stock belongs: the SIC or the Standard Industrial Classification code, industry groups, and major-market indices including the three Dow Jones indices and their composite, the Nasdaq 100, and the S&P 500, 100 and 400. For stocks, all fundamental information is provided by Zachs Investment Research.

ETFs

An ETF Profile page also shows general information about the fund, but also adds information such as a link to the Fund Family. the Underlying Index. Inception Date, First Trade Date, and Leverage.

Futures

A Profile for a commodities contract contains the Contract Specifications. Specifications include:

Symbol - the root symbol for the commodity.

Name - the commodity description

Exchange - the exchange on which the commodity is traded.

Months - A specific month in which delivery may take place under the terms of a futures contract. Commodity exchanges typically refer to months using one letter:

January = F

February = G

March = H

April = J

May = K

June = M

July = N

August = Q

September = U

October = V

November = X

December = Z

Size - (sometimes referred to as Trading Unit) refers to the unit of measure in which the contract is traded. Common abbreviations you'll see include:

bu = bushel

lbs = pounds

cwt = hundred weight

bbl = barrel

gal = gallon

mm btu = million British thermal units

bd = board foot

oz = ounce

M = million

ct = cents

pt = point

Tick Size - the smallest allowable increment of price movement for a contract.

Daily Limit - the maximum gain or loss that the commodity is permitted to reach for a given trading session.

Trading Hours - the days and hours in which the commodity is traded.

Last Trading Day - the day in which trading terminates for this commodity for each Trading Month.

Value of one futures unit - a measure of one basis point change in the futures price.

Value of one options unit - a measure of one basis point change in the options price.